Adding another view to my previous idea removing the volatility between the move. Please see for an idea of what the volatility could look like:
Key areas: Keep an eye on RSI momentum Keep an eye on major support levels which will be added as time goes on Use pre-established profit points - and DON'T fomo when the time comes. Pick your sell points and COMMIT to them - put a post-it on your monitor.
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Weekly and Monthly RSI look good - Daily RSi is nearing an area where we should see a pullback. If we blow off before the halving, the idea is invalidated and we may have two peaks. Another later in 2024 into q1/2 of 2025 range.